Key Responsibilities:
- Preparation and analysis of monthly management reports including balance sheet, profit and loss and cash flow statements for a portfolio of restaurants across Australia
- Maintain full payroll function, calculating fortnightly wages, monthly payroll tax and superannuation payments
- Coordinating all cash receipting and cash reporting
- Assisting across the group with business analytics
- Assisting with the preparation of annual financial statements and the annual budget and forecasting processes
- Responsible for overseeing the fixed asset register
- Completion of monthly balance sheet reconciliations
- Monthly variance analysis
- Preparation and posting of journals to the general ledger
- Responsible for overseeing the bank reconciliations
- Review and enter Staff expenses to ensure they comply with policy
- Complete sales reconciliation
- Maintenance of investment register
- Assist with maintenance of the financial system and budgeting program
- Process payroll and reconciliations
- Assist with Australian Tax returns and compliance, including: BAS, FBT and income tax
- Assist the Finance Manager with the preparation of Annual Financial Statements and Annual budget process
Key Requirements:
- 3 - 4 years experience in an accounting related position
- Previous background in hospitality or similar position
- CA/CPA qualified
- Ability to work autonomously and within a high performing team
- A desire to progress quickly in a fast growing business
- An excellent knowledge of reporting frameworks
- Excellent in Excel will be highly regarded
- Good communication skills and attention to detail
- Ability to engage with a wide range of stakeholders
- Be energetic and passionate – the organisation moves at an incredible pace and we need you to be able to keep up
Send resume to tehreem@jobs-n-jobs.com
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